Fidelity International High Dividend ETF
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Fidelity Investments Canada ULC Announces Cash Distributions for Certain Fidelity ETFs and ETF Series of Fidelity Mutual Funds
Benzinga· 2025-10-22 21:33
TORONTO, Oct. 22, 2025 /CNW/ - Fidelity Investments Canada ULC today announced the October 2025 cash distributions for the Fidelity ETFs ("Fidelity ETFs") and ETF Series of Fidelity mutual funds ("Fidelity Funds") listed below.For Fidelity ETFs, unitholders of record as of October 29, 2025, will receive a per-unit cash distribution payable on October 31, 2025, as detailed in the table below:Fidelity ETF NameTicker SymbolCash Distribution Per Unit (C$)CUSIPISINPayment FrequencyExchangeFidelity Canadian High ...
FIDI: An Average Dividend Fund Made Irrelevant By The Competition
Seeking Alpha· 2025-10-13 13:12
To invest in global markets (excluding the U.S.), many ETFs are pushing dividend strategies as a way to minimize volatility while preserving returns. Today I will look at one of these ETFs, the Fidelity International High Dividend ETF (I am a dynamic finance professional with a Master’s in Banking & Finance from Université Paris 1 Panthéon-Sorbonne. My investing background mix corporate finance, M&A, and investment analysis, with a focus on real estate, renewable energy, and equity markets. I specialize in ...
FIDI's Diversified Yield Case: Respectable, Not Exceptional
Seeking Alpha· 2025-07-29 10:30
Core Viewpoint - The Fidelity International High Dividend ETF (NYSEARCA: FIDI) is considered a solid investment option, particularly for investors seeking international diversification [1] Group 1: Investment Thesis - The investment thesis for FIDI should be evaluated based on the specific use case that investors are targeting [1] Group 2: Analyst Background - The analysis is conducted by a stock analyst with over 20 years of experience in quantitative research, financial modeling, and risk management [1] - The analyst has a strong focus on equity valuation, market trends, and portfolio optimization to identify high-growth investment opportunities [1] - Previous experience includes a role as Vice President at Barclays, leading teams in model validation, stress testing, and regulatory finance [1] Group 3: Research Approach - The research approach combines rigorous risk management with a long-term perspective on value creation [1] - There is a particular interest in macroeconomic trends, corporate earnings, and financial statement analysis to provide actionable investment ideas [1]